Financials
Value 202020212022202320242025 TTM Cash from investing activities -129.66 M-26.37 M-46.42 M-88.43 M-78.01 M-75.58 M -67.9 M Cash from financing activities 56.27 M-21.69 M-14.69 M-10.01 M-26.48 M-24.21 M -24.3 M Free cash flow 29.45 M27.46 M36.35 M58.11 M17.74 M34.46 M 36.69 M